Interim report January-September 2020
A QUARTER THAT KICKED OFF A NEW BUSINESS PLANJuly - September 2020 ·Order bookings amounted to SEK 961 million (1,792) · Income amounted to SEK 1,498 million (1,376) · The operating loss amounted to SEK 79 million (5), of which non-recurring items amounted to a negative SEK 65 million · Cash flow from operating activities amounted to an outflow of SEK 167 million (164) · Cash flow for the period amounted to SEK 7 million (0) · The loss for the period amounted to SEK 66 million (27) · New long-term financial targets have been adopted in the new business plan